On Tue, Jul 4, 2017 at 3:19 PM, Cédric Krier <[email protected]> wrote:

> On 2017-07-04 15:07, Khurram Shahzad wrote:
> > On Tue, Jul 4, 2017 at 1:44 PM, Cédric Krier <[email protected]>
> wrote:
> >
> > > On 2017-07-04 10:20, Sergi Almacellas Abellana wrote:
> > > > El 04/07/17 a les 06:45, Khurram Shahzad ha escrit:
> > > > > Dear All,
> > > > >
> > > > > I have set default 'Account Receivable'  and 'Account Payable' for
> > > Party
> > > > > through Account Configuration.
> > > > >
> > > > > It was working fine as long as we were running financial
> operations of
> > > > > our hospital. Now there is a requirement to run the finances of our
> > > > > Medical College through the same system. And, we want to manage the
> > > > > receivables and payables from the college students separately from
> the
> > > > > hospital patients.
> > > > >
> > > > > We have opened separate Accounts for both being 'Receivables from
> > > > > Students' and 'Receivables from Patients'.
> > > > >
> > > > > How can I cater this situation?
> > > > >
> > > > > Doesn't it make sense to have separate account configurations for
> each
> > > > > business/company being managed?
> > > >
> > > > When you craete a Student, you should modify it's accounts values to
> use
> > > > the correct one.
> > >
> > > But what happens if the Student is also a Patient?
> > >
> > The receivables/payables of a person who is Student and Patient should
> not
> > be mixed/combined. That's another problem which we are facing as each
> > company has its own customers & suppliers whose accounts must be managed
> > separately, Thus, I believe the parties of one company should not be
> > visible to parties of another company.
> >
> > We have 30,000 registered patients and just 700 students. But, when we
> > create a fee invoice for student, we have to search from 30700 parties.
> > Rather, add the vendors/suppliers of both companies too in this list!
> >
> > For me, it is not clear if it should be two separate accounting so it
> > > should use multi-company or two separate instances.
> > > Or if it is the same accounting and just some kind of operations should
> > > be put on a specific receivable/payable account. This last one sounds
> > > very strange and cumbersome for me. Indeed it looks like a kind of
> > > analytic reporting which should be done with analytic accounting. But
> > > still usually analytic accounting is done on Income Statement accounts
> > > and not on the Balance Sheet accounts.
> > >
> >
> > The management wants separate Trial Balance, Income Statement and Balance
> > Sheet for both the companies and also an accumulated/aggregated Income
> and
> > Balance Sheet. They also have separate finance teams for every company
> and
> > do not want the accounts of one company visible to other company's
> finance
> > team.
> >
> > So, what's the way forward?
>
> Run two different instances of trytond on two different databases.
>
> Then how can we get accumulated Balance Sheet, Income Statement and other
financial reports?
-- 

Regards,
Khurram.

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